The article explores the theoretical basis for the formation of an effective investment strategy of the insurance company. It was determined that, depending on the insurer's conduct and risk factor and yield of funds, investment strategy can be aggressive, moderate and conservative. The main ...
保险公司的最优投资和再保险策略 On the optimum investment of the insurance company and its reinsurance strategies 云南民族大学学报:自然科学版,2015,24(6):492... 保险公司的最优投资和再保险策略 On the optimum investment of the insurance company and its reinsurance strategies 云南民族大学学报:自然科学...
Mutual insurance companies are not traded on stock exchanges, therefore theirinvestment strategyavoids the pressure of having to reach short-term profit targets and can operate as best suited to its members with the goal of long-term benefits. As a result, they invest in safer, low-yield assets...
A forward-looking insurance investment strategyTo realize optimal returns in the short term, PE investors will need to develop precise insurance investment strategies and partner with their portfolio companies to drive both near-term and midterm value creation....
Join our growing team of diverse, highly skilled and motivated investment professionals. Learn more Diversity, Equity & Inclusion Learn more about our company’s commitment to promoting diverse perspectives and experiences. Learn more Conning in the News ...
Life Insurance Can Offer an Investment Strategy For many, life insurance isn’t just about playing financial defense: it’s also a good offensive strategy.Life insurance can also offer a good investmentin some cases, according to Ridley.
income. This opportunity can come with high fees and a lower death benefit, so it may only be a good option for individuals who have maxed out other tax-advantaged savings and investment accounts. The pension maximization strategy described earlier is another way life insurance can fund ...
Ping An Insurance (Group) Company of China, Ltd. - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and
We note that the assets portfolio is not constant in time, its composition evolves according to the investment strategy of the company. Thus, the asset portfolio is restructured (rebalanced) monthly to maintain the proportion of each asset (cash, equity and bonds) equal to a given target ...
aIn accordance with the company’s risk strategy and the assets liabilities management principle, maximizing returns and performance of insurance and investment-linked funds through investments in fixed income and equity markets 与公司的风险战略和财产负债管理原则符合,最大化保险和投资连接的资金回归和表现通...